(FY)Jul 31, 2024 | (FY)Jul 31, 2023 | (FY)Jul 31, 2022 | (FY)Jul 31, 2021 | (FY)Jul 31, 2020 | (Q2)Jan 31, 2020 | (Q1)Oct 31, 2019 | (FY)Jul 31, 2019 | (Q4)Jul 31, 2019 | (Q3)Apr 30, 2019 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (Indirect Method) | ||||||||||
Cash from operating activities | 69.23%12.27M | -29.84%7.25M | -30.24%10.34M | -52.61%14.82M | 7.76%31.26M | 28.12%11.63M | 4.78%6.87M | -0.88%29.01M | 88.48%9.44M | -63.88%3.94M |
Net profit before non-cash adjustment | 204.54%3.34M | -13.80%-3.19M | -174.57%-2.8M | 122.75%3.76M | 666.44%1.69M | 224.48%956K | 296.32%1.29M | -101.97%-298K | -97.48%116K | -98.68%28K |
Total adjustment of non-cash items | -63.56%4.41M | -26.99%12.11M | 1.51%16.59M | -19.78%16.34M | -19.70%20.37M | -18.86%5.52M | -16.86%5.66M | -4.50%25.37M | -7.33%5.78M | -16.23%5.98M |
-Depreciation and amortization | 11.67%15.14M | -25.24%13.56M | -13.30%18.14M | -8.64%20.92M | -11.89%22.9M | -12.06%5.86M | -8.23%6.21M | -3.99%25.99M | -14.57%5.93M | -3.43%6.62M |
-Reversal of impairment losses recognized in profit and loss | -101.27%-7K | -32.31%551K | 387.43%814K | -80.54%167K | 26.74%858K | -28.06%100K | -60.93%59K | 612.88%677K | 289.52%398K | -127.50%-11K |
-Disposal profit | -734.24%-9.55M | 14.93%-1.15M | 64.46%-1.35M | -80.25%-3.79M | -297.16%-2.1M | -64.74%67K | -932.08%-441K | -11.13%-529K | 73.83%-140K | -323.32%-632K |
-Net exchange gains and losses | -55.17%65K | 368.52%145K | -235.00%-54K | 2.56%40K | 234.48%39K | -543.33%-193K | 312.50%102K | -147.54%-29K | -249.23%-97K | 380.77%146K |
-Other non-cash items | -23.60%-1.24M | -3.84%-1M | 3.51%-963K | 24.57%-998K | -79.27%-1.32M | -100.00%-310K | -128.33%-274K | -1,740.00%-738K | -986.21%-315K | -2,214.29%-148K |
Changes in working capital | 370.94%4.52M | 51.61%-1.67M | 34.75%-3.45M | -157.44%-5.29M | 133.64%9.2M | 69.59%5.15M | 85.91%-81K | 131.66%3.94M | 160.80%3.55M | -224.82%-2.07M |
-Change in inventory | 109.49%1.57M | 750.43%748K | -122.37%-115K | 187.56%514K | 45.50%-587K | 58.76%-80K | 109.63%153K | -315.83%-1.08M | -40.35%714K | -102.65%-9K |
-Change in prepaid assets | 30.34%4.82M | 121.13%3.7M | 156.47%1.67M | -125.93%-2.96M | 12.92%11.41M | -54.18%2.62M | 6.16%2.16M | 704.12%10.11M | 143.65%3.82M | -140.38%-1.47M |
-Change in payables | 69.55%-1.86M | -22.12%-6.11M | -76.17%-5.01M | -75.05%-2.84M | 68.12%-1.62M | 204.45%2.61M | -134.91%-2.39M | 54.81%-5.09M | -157.32%-991K | 74.62%-589K |
Dividends paid (cash flow from operating activities) | ||||||||||
Dividends received (cash flow from operating activities) | ||||||||||
Interest paid (cash flow from operating activities) | -95.70%-1.37M | -132.67%-698K | 15.25%-300K | 68.78%-354K | 29.21%-1.13M | 43.19%-242K | 30.13%-320K | -14.02%-1.6M | 14.29%-306K | -7.57%-412K |
Interest received (cash flow from operating activities) | 50.15%2.44M | 179.35%1.62M | -62.68%581K | -36.86%1.56M | 10.29%2.47M | 8.69%563K | 20.36%674K | 84.34%2.24M | 99.58%477K | 81.12%681K |
Tax refund paid | -212.69%-813K | 76.04%-260K | 55.55%-1.09M | -61.44%-2.44M | -18.59%-1.51M | 24.07%-246K | 149.86%173K | 16.88%-1.28M | 18.95%-278K | 13.07%-326K |
Other operating cash inflow (outflow) | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Operating cash flow | 58.27%12.53M | -16.94%7.92M | -29.81%9.53M | -56.32%13.58M | 9.56%31.08M | 32.33%11.7M | 17.20%7.39M | 3.00%28.37M | 105.23%9.33M | -63.11%3.88M |
Investing cash flow | ||||||||||
Net PPE purchase and sale | 128.41%3.78M | 53.05%-13.32M | -145.42%-28.37M | -862.45%-11.56M | 85.61%-1.2M | 79.54%-782K | 71.13%-613K | 41.97%-8.35M | 93.52%-228K | -73.37%-2.17M |
Net investment product transactions | -163.39%-17.73M | -121.64%-6.73M | 777.63%31.11M | 30.09%-4.59M | -11.57%-6.57M | -303.19%-2.54M | 1,335.38%1.87M | 79.14%-5.89M | 98.14%-298K | 41.10%-6.97M |
Dividends received (cash flow from investment activities) | 0.00%128K | 2.40%128K | 92.31%125K | -15.58%65K | -4.94%77K | 25.00%20K | 31.25%21K | -5.81%81K | -6.52%43K | -60.00%6K |
Investing cash flow | 30.63%-13.82M | -794.94%-19.92M | 117.82%2.87M | -109.14%-16.09M | 45.66%-7.69M | -29.39%-3.31M | 164.44%1.27M | 66.71%-14.15M | 97.52%-483K | 30.10%-9.14M |
Financing cash flow | ||||||||||
Net issuance payments of debt | -131.07%-6.12M | 511.32%19.71M | 233.17%3.22M | 81.51%-2.42M | -23.69%-13.09M | -47.51%-3.61M | -54.10%-3.93M | -229.01%-10.58M | -134.25%-1.74M | -69.46%-3.85M |
Increase or decrease of lease financing | -2.99%-2.1M | -6.58%-2.04M | 26.96%-1.92M | 26.60%-2.62M | -41.63%-3.57M | -49.93%-1.01M | -34.87%-905K | -31.83%-2.52M | 16.16%-529K | -39.40%-651K |
Cash dividends paid | ---- | ---- | 0.00%-368K | ---368K | ---- | ---- | ---- | 0.00%-368K | --0 | --71K |
Cash dividends for minorities | 4.98%-382K | 24.58%-402K | 18.25%-533K | -19.20%-652K | 17.00%-547K | ---- | ---- | 51.58%-659K | 76.25%-219K | -332.26%-72K |
Financing cash flow | -149.85%-8.61M | 4,131.86%17.27M | 106.73%408K | 64.77%-6.06M | -21.77%-17.21M | -28.77%-5.06M | -50.09%-4.83M | -409.80%-14.13M | -170.52%-2.49M | -66.25%-4.5M |
Net cash flow | ||||||||||
Beginning cash position | 6.23%44.6M | 33.54%41.98M | -23.05%31.44M | 13.43%40.86M | -1.66%36.02M | 4.53%38.61M | -1.66%36.02M | -19.38%36.63M | -32.66%30.05M | -20.98%39.51M |
Current changes in cash | -288.28%-9.9M | -58.94%5.26M | 249.43%12.81M | -238.65%-8.57M | 7,346.99%6.18M | 41.44%3.34M | 244.87%3.84M | 100.80%83K | 155.64%6.36M | -85.68%-9.75M |
Effect of exchange rate changes | 66.48%-886K | -16.84%-2.64M | -167.06%-2.26M | 37.03%-847K | -94.65%-1.35M | 663.38%1.63M | -55.04%-1.25M | -143.11%-691K | -111.54%-396K | 354.31%295K |
End cash Position | -24.19%33.81M | 6.23%44.6M | 33.54%41.98M | -23.05%31.44M | 13.43%40.86M | 10.29%43.57M | 4.53%38.61M | -1.66%36.02M | -1.66%36.02M | -32.66%30.05M |
Free cash flow | 221.89%7.52M | 68.56%-6.17M | -3,656.70%-19.61M | -101.96%-522K | 40.33%26.68M | 115.54%10.86M | 54.53%6.3M | 45.26%19.01M | 769.39%8.63M | -86.36%1.26M |
Currency Unit | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD |
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